Posted By
Posted in
Banking & Finance
Job Code
876456
Better is redefining homeownership and making it simpler, faster and most importantly more accessible for everyone. We leverage technology and expertise to find ways that we can make the homebuying journey more approachable and understandable.
We have secured over $254 million from our investors to date
Our company is made up of driven, passionate people who bring their unique backgrounds and perspectives to everything we do, and we are committed to fostering diversity, multiculturalism, and inclusion. We see the perspectives that each person brings and a diverse workforce as essential for individual and collective success. We believe it's important to foster a company culture that encourages curiosity and passion from employee resource groups and learning opportunities to team outings and community outreach.
The Better mission is rooted in values that drive us.
Job Responsibilities:
- Managing cash that includes generating reports on cash operations, overseeing cash transactions, ensuring adequate liquidity so that there's never a shortage of cash, determining how much cash is available for use and forecasting both short and long term cash levels.
- Overseeing Company's banking activities - includes managing deposit verification, using online banking systems, maintaining bank statements, analyzing bank fees and implementing banking-related changes as needed
- Managing foreign currency exposure and foreign currency payments
- Analysing various scenarios and risks and reporting to senior management
- Daily cash management
- Preparing management and board reports
- Liaising with senior management across the organisation
- Supporting the month end process where necessary
- Maintaining efficient system of policies that adequately control treasury activities
Requirement:
- Bachelor's / Master's degree in business administration, accounting, finance, or related field preferred
- 6-9 years of experience working with MNC in Treasury role in treasury accounting including FX, liquidity, cash flow and various financial instruments
- Strong business acumen and excellent leadership skills
- Knowledge of cash management principles and banking system and processes
- Strong interpersonal skills for interacting with team, clients, and upper management
- Strong analytical and problem solving skills
- Good presentation skills for educating internal team/ upper management on the days to day treasury/ cash position in the company
- Good planning and organizational skills to balance and prioritize work
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Posted By
Posted in
Banking & Finance
Job Code
876456